FT Banking Weekly

Un pódcast de Financial Times

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462 Episodo

  1. Risk-weighted assets, valuing bank debt, and Italy and the Eurozone crisis

    Publicado: 14/11/2011
  2. António Horta-Osório’s break from Lloyds, the MF Global collapse and Bob Diamond’s cuddly bankers

    Publicado: 7/11/2011
  3. Barclays’ results, shadow banking regulation and the eurozone deal

    Publicado: 31/10/2011
  4. Selling Lloyds’ branches, entering the earnings season and bank recapitalisation

    Publicado: 23/10/2011
  5. Greece haircuts, Northern Rock bidders and the banking results season

    Publicado: 16/10/2011
  6. Expanding the European Financial Stability Facility

    Publicado: 9/10/2011
  7. Dexia, living wills, UBS and M&A activity

    Publicado: 3/10/2011
  8. Rogue trading, Lloyds job moves

    Publicado: 19/9/2011
  9. Reaction to the Vickers report

    Publicado: 13/9/2011
  10. Mortgage law suits, RBS/Lloyds/ Vickers' preview

    Publicado: 5/9/2011
  11. Reaction to financial turmoil

    Publicado: 8/8/2011
  12. Bank results and job cuts

    Publicado: 1/8/2011
  13. Basel III, investment banks, Lloyds and Northern Rock

    Publicado: 25/7/2011
  14. Stress tests, Q2, Lloyds

    Publicado: 18/7/2011
  15. Santander, Greece, Deutsche Bank

    Publicado: 11/7/2011
  16. Greece, Axel Weber, and the FCA

    Publicado: 4/7/2011
  17. Greece, Lloyds and female quotas

    Publicado: 27/6/2011
  18. Greece, capital surcharges, ring-fencing

    Publicado: 20/6/2011
  19. Lending targets, pay, investors

    Publicado: 13/6/2011
  20. Stress tests, Lloyds and Northern Rock, Basel III

    Publicado: 6/6/2011

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The Financial Times banking team discusses the biggest banking stories of the week, bringing you global insight and commentary on the top issues concerning this sector. To take part in the show or to comment please email [email protected] Hosted on Acast. See acast.com/privacy for more information.

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